Positive update in May (and hopefully close enough to year-end/Brexit that uncertainty had little effect); sp close to year low but seems to be regaining interest; earnings enhancing acquisitions; results due mid-September.
any thoughts on Epwin? Last update was positive and Brexit seems to have been overplayed in buildings sector. Bounce back to 130p or profit warning and fall to 70p?
Good fundamentals and trading update. Thinking of buying back in with short term 150p target. Any thoughts out there as every time I buy something it drops like a stone?!
Complete tangent. Jolly - can you please have a quick look at CIC? Director buying, meeting on Friday to return cash via buyback/divi. NAV 50% above current price. Many thanks. AP